The S&P500 Weekly Option System takes an option position on the S&P500 every week. This is done on the basis of a model developed in-house, with capital preservation and risk management as the starting point. For this system, we assume an annual return of 15%. You don't have to do anything. We execute the transactions on your investment account and monitor the position taken.
The S&P500 Weekly Option System is an innovative investment product developed by Bram Voermans, a renowned trader with an impressive track record. This system is designed to offer investors a simple but effective way to profit from fluctuations in the S&P500 index through weekly option positions.
How does the system work?
Every week, a new option position is taken on the S&P500. This is done on the basis of an advanced, proprietary model that prioritizes both capital preservation and risk management. The system is fully automated, which means that investors do not have to do anything themselves. All transactions are executed on your investment account and the positions are continuously monitored by the system.
Expected return
This system assumes an annual return of 15%. This ambitious goal is based on the model's performance and Bram Voermans' expertise. By taking carefully selected option positions and managing risks, the system aims to achieve consistently positive results.
Risk Management Although investing always involves risk, the S&P500 Weekly Options System is designed with a strong focus on risk management. The model continuously analyzes market conditions and adjusts the strategy to avoid unnecessary risk. This ensures that your investments are as secure as possible, while still allowing you to take advantage of market opportunities.
Trader background
Bram Voermans became interested in the financial world in 1987. The stock market crash of that year made a deep impression on him and inspired him to understand the underlying mechanisms of the markets. With a university degree in accountancy and experience as a chartered accountant at PwC, and later as a risk manager and financial director at Shell subsidiaries, Bram has built up in-depth knowledge and experience in the financial sector.
' reputation and expertise Bram Voermans is a well-known name in the investment community. He is a sought-after speaker at the Investor Fair, regularly gives option courses, and has launched several successful trading systems. His extensive knowledge and proven track record make him a reliable and expert guide for your investments.
Simplicity and convenience
One of the biggest advantages of the S&P500 Weekly Options System is its convenience for investors. You don't need to have in-depth knowledge of the market or spend time tracking your investments. The system does all the work for you, allowing you to profit from market movements without the complexity that normally comes with it.
Try it for yourself
We invite you to experience the S&P500 Weekly Option System for yourself. By participating, you can benefit from Bram Voermans' expertise and the power of an advanced, risk-managed model. Whether you are an experienced investor or just starting out, this system offers a responsible and transparent way to grow your money.